VY(R) JPMORGAN MID CAP VALUE PORTFOLIO CLASS I(IJMIX) USD 15.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202220.76%USD 3.152USD0.18652022-12-28
USD2.96512022-08-03
20215.57%USD 0.845USD0.17272021-12-29
USD0.67252021-08-03
20209.68%USD 1.47USD0.17482020-12-30
USD1.29532020-08-04
201916.68%USD 2.532USD0.18512019-12-30
USD2.34662019-08-02
201812.77%USD 1.939USD0.24342018-12-28
USD1.69522018-08-03
201713.92%USD 2.113USD0.16482017-12-28
USD1.94832017-08-04
201613.32%USD 2.022USD0.17472016-12-29
USD1.84752016-08-04
201521.98%USD 3.337USD0.16792015-12-29
USD3.169052015-08-04
201410.16%USD 1.542USD0.22062014-12-29
USD1.32172014-08-04
20135.41%USD 0.822USD0.14362013-12-27
USD0.67822013-08-06
20120.99%USD 0.15USD0.14452012-12-27
USD0.00592012-08-07
20111.00%USD 0.152USD0.13072011-12-28
USD0.02162011-08-08
20100.82%USD 0.125USD0.10962010-12-29
USD0.01562010-08-12
20091.99%USD 0.302USD0.14682009-12-29
USD0.15542009-08-12
200810.47%USD 1.589USD0.15292008-12-29
USD1.43632008-08-12
20075.84%USD 0.887USD0.88672007-08-01
20060.69%USD 0.104USD0.10432006-08-01
20052.90%USD 0.44USD0.34312005-12-16
USD0.09692005-07-01
20040.25%USD 0.038USD0.0382004-12-30
20030.32%USD 0.049USD0.0492003-12-30